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--------- LAKE LEMON CONSERV AJ.~CY DISTRICT Board ofDirectors Meeting
Benton Township Senior Citizens Building September 16, 2015
6:00p.m.
AGENDA
I. Call Meeting to Order I Chairman's Remarks (PD)
II. Approval of August 22,2015 Board Meeting Minutes (PD)
III. Treasurer's Report (LE) A. Financial Highlights: August 2015 B. Report of Claims: August 2015 C. Public Hearing: 2016 Propose4 Budget
IV. IDEM 319 Grant Program: Guest Speaker (AC) A. Joshua Brosmer, Watershed Specialist, IDEM Office of Water Quality
V. Manager's Report (AC) A. Small Bargy Equipment Purchase Agreement: JS McCullough
1. Termination of Contract B. Barge Operations: Update C. Boys & Girls Club: The ROMP
1. Waving ofFees D, Conflict of Interest Form: Andy Hoffman E. 2015 Vegetation Treatment: Final Update· (JVT)
VI. Initial Winter Drawdown: Discussion (PD)
VII. Public Comment (PD)
VIII. New Business I Correspondence for Future Agenda (PD) Next Meeting: October 21, 2015; 6:00p.m.; Benton Township Seniors Building.
IX. Adjournment (PD)
7599 North Thnnel Road, Unionville, IN 47468 Phone 812/334-0233 • Fax 812/335-0038
Lake Lemon Conservancy District
Board of Directors Meeting Minutes Benton Township Senior Citizens Building
September 16, 2015 The September 16th, 2015 Board of Directors Meeting of the Lake Lemon Conservancy District was held at the Benton Township Senior Citizens Building and was called to order by Chairman Pam Dugan at 6:00 PM. BOARD MEMBERS PRESENT: Pam Dugan, Sue Miller, Lance Eberle, Marty Mann, John Schell, Andy Hoffman, and Mike Blackwell. ALSO PRESENT: Adam Casey, Manager; James Van Tassel, Lake Biologist; John Langley, CBU Deputy Director; and LLCD Freeholders (see attached sign-in sheet).
I. Opening Comments (Dugan)
II. Approval of July August 22, 2015 Board Meeting Minutes (Dugan)
a. Eberle made a correction on his statement regarding the Bob’s Cove Plaque.
b. Dugan made a deletion of an opinion stated on page 2 item 2.
III. Treasurer’s Report (Eberle)
a. Financial Highlights: August 2015 (See Attached)
b. Notable expenses: Bath house repairs, weed treatments, and gas/diesel.
MILLER MOTIONED TO APPROVE THE TREASURER’S REPORT. BLACKWELL
SECONDED THE MOTION. ALL “AYE’S”. THE MOTION CARRIED.
c. Report of Claims: August 2015
DUGAN MOTIONED TO APPROVE THE ALLOWANCE OF VOUCHERS FOR
AUGUST 2015. SCHELL SECONDED THE MOTION. ALL “AYE’S”. THE MOTION
CARRIED.
d. Public Hearing: 2016 Proposed Budget
i. Eberle reviewed the 2016 Proposed Budget and highlighted significant
changes from the 2015 budget.
IV. IDEM 319 Grant Program: Guest Speaker
a. Joshua Brosmer, Watershed Specialist, IDEM Office of Water Quality
b. Brosmer reviewed 319 grants and the LLCD’s applicability. Staff will
review the LLCD’s options and work with Brosmer in future grant processes.
V. Manager’s Report (Casey)
a. Small Barge Equipment Purchase Agreement: JS McCullough
i. Termination of Contract
EBERLE MOTIONED TO APPROVE THE TERMINATION ADDENDUM OF
EQUIPMENT PURCHASE: JS MCCULLOUGH. SCHELL SECONDED THE
MOITON. ALL “AYE’S”. THE MOTION CARRIED.
b. Barge Operations: Update
i. Casey has been in contact with Industrial Environmental whom is
willing to assist in a barge design. In order to alleviate bidding issues,
Casey wishes to ask Angela Parker, LLCD Attorney, about a less
formal bidding process to purchase the excavator.
ii. Hoffman requested the small barge areas be put on the next meeting
agenda for discussion.
c. Boys & Girls Club: The ROMP
i. Board has historically waived the $375.00 in fees for the shelter house
rental and the special use agreement.
DUGAN MOTIONED TO WAIVE THE $375 IN FEES FOR THE ROMP. SCHELL
SECONDED THE MOTION. SIX “AYE’S”. EBERLE ABSTAINED. THE MOTION
CARRIED.
d. Conflict of Interest Form: Andy Hoffman
e. 2015 Vegetation Treatment: Final Update
i. A final update will be provided at the October Board Meeting. The
maintenance line for Lotus was adjusted and has raised some concern.
Casey will speak with any concerned Freeholders.
VI. Initial Winter Drawdown: Discussion (Dugan)
a. Final decision on the drawdown to be made at October 21st, 2015 Board
Meeting.
b. The Eppley survey stated most Freeholders were in favor of a 3-4’ drawdown.
VII. Public Comment
a. Gary Lewis, Freeholder VII, mentioned large plumes of sediment can be seen
entering the lake at shuffle creek after large rains.
b. Blackwell commented there are 13 culverts around the lake that could be
addressed for sediment traps/weirs.
c. Barbara Ritter, Freeholder II, asked if the whole years dredging budget would
be spent in the Chitwood Addition.
i. Casey replied that is a board decision, however the barge will likely
dig in multiple areas.
d. Ron Thrasher, Freeholder VII, commented the walker lane channel to be dug
20’ wide would be only 3,200 Y3 of sediment and asked Langley if the CBU
would subsidize the dredging project.
e. Langley stated the city does not have funds to help the LLCD in dredging
operations at this time.
i. Barbara Ritter, Freeholder II, commented on how instrumental and
helpful the CBU was during the formation of the LLCD.
f. Mann commented the LLCD needs to think creatively and implement revenue
generating processes.
g. Spencer Lieter, Freeholder II, commented about the resuspension of sediment
when the barge leaves the disposal site and also asked about the Asian
Mystery Snails in the lake. In addition Lieter commented about the reckless
activity on Spillway road.
i. Casey spoke with a state biologist about the Asian Mystery Snails, and
he replied the die off was likely due to water temperature, disease,
and/or over population but these snails are invasive and with no fish
kills, not to worry.
ii. Eberle commented the neighbors in the Spillway Road area should be
vigilant and keep a close watch on others homes. Call the authorities
with any suspicious activity.
VIII. New Business / Correspondence for Future Agenda (Dugan)
a. Mann asked staff to look into a safety rail by the Anne Reese memorial bench.
b. Next meeting: October 21, 2015; 6:00 PM; Benton Township Seniors
Building.
IX. Adjournment (Dugan)
SCHELL MOTIONED TO ADJOURN THE SEPTEMBER 16, 2015 BOARD OF
DIRECTORS MEETING. BLACKWELL SECONDED THE MOTION. ALL “AYE’S”.
THE MOTION CARRIED. MEETING ADJOURNED AT 7:46 PM
RESPECTFULLY SUBMITTED BY:
JAMES VAN TASSEL
BOARD RECORDER / LAKE BIOLOGIST
Lake Lemon Conservancy District Budget Summary Report
16-Sep-15
February Profit and Loss Summary :January Actuals: Actuals March Actuals April Actuals May Actuals June Actuals July Actuals : August Actuals: YTD Actuals Notes
Income Breakdown
Watercraft Permits
Launch Fees
Dredging/Rip-Rap Income
Other Income
Expenses & Margin:
$/w~ (j~ q}iNfrict;
MONTHLY MEETING
---------n·e-nton Township Senior Citizens Building
6:00PM
Date: Se.~eV\1\.\a~ \Co, Z-o\ ~
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7599 North Tunnel Road, Unionville, IN 47468 Phone 812/334-0233 • Fax 812/335-0038
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_ MONTHLYMEETING
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6:00PM
Date: ... ScR~ l<o, Zotso:-"'+.
Name Lake Address
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7599 North Tunnel Road, Unionville, IN 47468 Phone 812/334-0233 • Fax 812/335-0038
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LAKE LEMON CONSERVANCY
Financial Statements
For the Period Ending
January 1, 2015 thru August 31, 2015
(UNAUDITED)
W-atkins Accounting 113 E. 19th Street
Bloomington, IN 47408
LAKE LEMON CONSERVANCY
I have prepared the financial statements for LAKE LEMON CONSERVANCY as of August 31, 2015 on the basis used in the preparation of its federal income tax returns. The tax returns are prepared on the accrual basis when appropriate.
The following are the company's significant accounting policies under this basis:
Income Tax. No provision or liability for income taxes has been included in the financial statements.
Provision for Doubtful Accounts. No provision for doubtful accounts is made. The company follows the practice of charging off all accounts deemed uncollectible directly to expense.
Property and Equipment. Property and equipment, as well as liabilities pertaining thereto,
are recorded at cost as determined for income tax purposes.
Shirley Watkins, CPA September 3, 2015
/~
2:16PM
09/03/15 Accrual Basis
LAKE LEMON CONSERVANCY Balance Sheet
As of August 31,2015
ASSeTS Current Assets
Checking/Savings 1000 • Peoples State Bank 1010 • Petty Cash 1020 • Change Fund 1030 ·CO's General Fund 1040 ·CO's Cumulative Maint Fund 1050 ·Savings Account
Total Checking/Savings
Total Current Assets
Fixed Assets 1510 ·Trucks 1520 • Other Asset 1550 ·Boats 1680 ·Other Fixed Assets
Total Fixed Assets
TOTAL ASSETS
· LIABILITIES & EQUITY Liabilities
Current Liabilities Other Current Uabllltles
2010 ·FICA & Federal Taxes Payable 2020 • State & co. Withholding Payable
Total Other Current Liabilities
Total Currant Liabilities
Total Liabilities
Equity 3000 • Opening Balance Equity 3040 • General Fund 3060 · Cumulative Maintenance Fund 3200 • Retained Earnings Net Income
Total Equity
TOTAL LIABILmES & EQUITY
Aug 31,15
332,234.0S 100.00 200.00
116,008.85 7S,79S.S7
1,810.64
527,150.22
527,150.22
132,761.25 3,993.11
209,750.00 146,993.48
493,497.64
1,020,648.06
5,771.58 881.37
6,652.95
6,652.95
6,652.95
101,373.66 563,035.83
38,496.47 233,483.16 77,605.99 --·-
1.013,995.11 ------- ·-
1,020,648.06
Page1
2:15PM LAKE LEMON CONSERVANCY 09103/15 Profit & Loss YTD Comparison Accrual Basis August 2015
Aug 15 Jan ·Aug 15 ----Income
4000 • Watercraft Permits 6,516.00 106,368.00 4010 • Launch Feq 2,835.00 20,905.00 4020 · Marina & Club Fees 7,190.50 11,565.50 4030 • Sublease & Access Fees 0.00 27,255.00 4040 · Property Tax - Brown Co. 0.00 36.421.95 4050 • Property Tax -Monroe Co. 0.00 109,392.83 4060 · Interest 0.00 903.19 4070 · Grants & Donations 155.00 6,520.36 4080 · Fishing Tournament 0.00 675.00 4090 • Park Reservations 250.00 2,275.00 4100 · ParkAdmlsioin Fees 6,215.00 27,125.00 4120 · Other Income 0.00 145.00 4130 • Dredging/Rip-Rap Income 0.00 17,675.82
--·--- -Total Income 23,161.50 367,227.65
Expense 6000 · Manager 4,000.00 35,165.16 6010 ·FICA 1,546.29 8,570.61 6020 • State Unemployment Tax 0.00 371.47 6030 · Retirement 568.00 4,649.44 6040 · Health Insurance 306.51 3,941.30 6070 · Gate Attendant 4,116.00 15,104.30 6100 · Lake Patrol 996.00 3,882.00 6110 ·Lake Biologist 3,043.00 21,853.50 6111 · Dredger 5,456.75 5,456.75 6112 ·Dredger (Other} 0.00 20,978.38 6113 · Assistant Dredger 2,601.00 2,601.00 6114 · Assistant Dredger (Other) 0.00 6,993.00 6120 ·Season &.Launch Permits 0.00 1,791.88 6130 ·Dally Pennits 0.00 208.50 6140 ·Receipt/Tickets Books 0.00 375.37 6150 · Checks 0.00 220.41 6160 ·Printer, Copier & Computer Supp 0.00 424.85 6170 · Miscellaneous-Other 0.00 1.041.69 6180 • Postage 75.25 571.68 6190 ·General Business Supplies 23.57 466.00 6200 · Regular Gas 852.40 1,885.39 6210 ·Diesel 2,209.05 3,956.95 6240 • Building & Grounds 521.29 3,843.77 6250 • Boat/Weed Harvester/Truck 0.00 220.57 6251 ·Dredging Supplies 519.00 8,028.56 6252 · Rip Rap/Erosion Control 0.00 15,719.99 6290 · Signs & Nautical Markers 1,265.00 2,065.00 6300 · Accounting Services 450.00 3,600.00 6310 ·Grass 1,812.50 7,250.00 6320 · Attorney 752.50 2,801.69 6330 • Consulting Engineer 0.00 262.50 6350 · Other Prof/Secretarial Service 606.34 681.34 6370 · Phone, LOT, Pager, E-Mail 208.82 1,900.35 6380 ·Travel 0.00 140.00 6390 ·Hotel 0.00 157.50 641 0 · Sub$criptions 0.00 205.70 6430 ·Ads 0.00 349.52 6440 · Other · 12.11 831.06 6460 • Insurance 0.00 33,590.00 6460 · Electric 470.95 3,351.60 6470 ·Water 46.66 341.64 6480 ·Trash 223.74 601.40 6490 · Port-O-Lets 304.00 1,272.00 6500 · Pump Holding Tank 100.00 300.00 6510 · Building & Grounds Expense 5,580.00 20,509.27 6520 ·Boat 0.00 455:00 6542 · Equipment Rental 579.00 1,440.25 6560 · water Testing 20.00 80.00 6570 • Lake Weed Treatment 17,494.10 29,429.60
Page1
2:15PM
09/03/16
Accrual Basis
LAKE LEMON CONSERVANCY Profit & Loss YTD Comparison
August2015
Aug15
6600 • 6% MarlnaPermit Salas 0.00 6680 • Other Services and Charges 517.00 6681 • Fireworks 0.00 6700 • Computer Equipment 0.00 -----
Total Expense 57,296.83
Net Income -34,135.33
Jan -Aug 15
2,166.72 1,017.00 6,500.00
0.00 ------
289,621.66 -··--·~--
77,605.99
Paga2
2:12PM LAKE LEMON CONSERVANCY
09103115 Profit & Loss Budget vs. Actual Accrual Basis January through August 2015
Jan -Aug 15 Budget $ Over Budget %of Budget --~~- --- ~~-----
Income 4000 • Watercraft Permits 106,368.00 105,000.00 1,368.00 101.3% 401 0 • Launch Fees 20,905.00 18,000.00 2,905.00 116.1% 4020 • Marina & Club Fees 11,565.50 8,000.00 3,565.50 144.6% 4030 • Sublease & Access Fees 27,255.00 26,000.00 1,255.00 104.8% 4040 · Property Tax • Brown Co. 36,421.95 65,000.00 ·28,578.05 56.0% 4050 • Property Tax ·Monroe Co. 109,392.83 185,000.00 ·75,607.17 59.1% 4060 • Interest 903.19 1,500.00 ·596.81 60.2% 4070 · Grants & Donations 6,520.36 5,000.00 1,520.36 130.4% 4080 • Fishing Tournament 675.00 700.00 -25.00 96.4% 4090 • Park Reservations 2,275.00 4,000.00 -1,725.00 56.9% 4100 · Park Admlsloln Fees 27,125.00 27,000.00 125.00 100.5% 4110 ·Concessions 0.00 0.00 0.00 0.0% 4120 • Other Income 145.00 0.00 145.00 100.0% 4130 • DredglngiRip-Rap Income 17,675.82 10,000.00 7,675.82 176.8% 4140 • Dredging Equipment '-:oan Proceed 0.00 200,000.00 -200,000.00 0.0%
·-- -Total Income 367,227.65 655,200.00 ·287 ,972.35 56.0%
Expense 6000 • Manager 35,165.16 55,000.00 -19,834.84 63.9% 6010 ·FICA 8,570.61 12,641.00 -4,070.39 67.8% 6020 · State Unemployment Tax 371.47 789.00 -417.53 47.1% 6030 • Retirement 4,649.44 7,810.00 ·3,160.56 59.5% 6040 • Health Insurance 3,941.30 12,000.00 -8,058.70 32.8% 6050 • Life Insurance 0.00 0.00 0.00 0.0"11> 6060 · Dental Insurance 0.00 0.00 0.00 0.0% 6070 • Gate Attendant 15,104.30 21,000.00 -5,895.70 71.9% 6080 • Seasonal Labor 0.00 0.00 0.00 0.0% 6090 • Park Maintenance Technician 0.00 0.00 0.00 0.0% 6100 • Lake Patrol 3,882.00 4,800.00 -918.00 80.9% 6110 • Lake Biologist 21,853.50 27,200.00 -5,346.50 80.3% 6111 • Dredger 5,456.75 21,900.00 -16,443.25 24.9% 6112 ·Dredger (Other) 20,978.38 13,688.00 7,290.38 153.3% 6113 • Assistant Dredger 2,601.00 10,800.00 -8,199.00 24.1% 6114 • Assistant Dredger (Other) 6,993.00 5,400.00 1,593.00 129.5% 6115 • Dredger (Private) 0.00 3,650.00 -3,650.00 0.0% 6116 ·Assistant Dredger (Private) 0.00 1,800.00 -1,800.00 0.0% 6120 • Season & Launch Permits 1,791.88 1,200.00 591.88 149.3% 6130 • Dally Permits 208.50 300.00 ·91.50 69.5% 6140 ·Receipt/Tickets Books 375.37 400.00 -24.63 93.8% 6150 ·Checks 220.41 200.00 20.41 110.2% 6160 • Printer, Copier & Computer Supp 424.85 800.00 -375.15 53.1% 6170 • Miscellaneous-other 1,041.69 1,300.00 -258.31 80.1% 6180 • Postage 571.68 1,000.00 -428.32 57.2% 6185 · Receipt Books 0.00 0.00 0.00 0.0% 6190 ·General Business Supplies 466.00 500.00 -34.00 93.2% 6200 · Regular Gas . 1,885.39 7,000.00 -5,114.61 . 26.9%
Page 1
2:12PM
09/03/15
Accrual Basis
LAKE LEMON CONSERVANCY Profit & Loss Budget vs. Actual
January through August 2015
621 0 · Diesel 6220 · Janitorial Supplies 6230 · Medical Supplies 6240 • Building & Grounds 6250 · Boat/Weed Harvester/Truck 6251 · Dredging Supplies 6252 • Rip Rap/Erosion Control 6260 · Uniforms 6270 · Boat Equipment 6280 · Radio/Communication Equipment 6290 • Signs & Nautical Markers 6300 · Accounting Services 6310 ·Grass 6320 • Attorney 6325 · Fish Managment Survey 6330 · Consulting Engineer 6340 • State Board Accounts Audit 6360 · Other Prof/Secretarial Service 6370 ·Phone, LOT, Pager, E-Mail 6380 · Travel 6390 ·Hotel 6400 ·Meals 6410 ·Subscriptions 64:20 • Newsletter 6430 ·Ads 6440 ·Other 6450 · Insurance 6460 · Electric 6470 ·Water 6420 ·Trash 6490 · Port-O-Lets 6500 · Pump Holding Tank 6510 · Building & Grounds Expense 6520 ·Boat 6530 ·Truck 6540 · Sluice Gate Inspection 6541 • Dredging Equipment Maintenance 6542 · Equipment Rental 6550 · Operating Loan 6560 · Water Testing 6570 • Lake Weed Treatment 6580 · Erosion Control/Matching Fund 6590 · Contigency Funds 10% 6600 · 6% MarinaPermit Sales 6610 · Cumulative Maintenance Fund 6620 • Dam/Spillway Inspection 6630 · Spillway Repairs
Jan-Aug 15
3,956.95 0.00 0.00
3,843.77 220.57
8,028.56 15,719.99
0.00 0.00 0.00
2,065.00 3,600.00 7,250.00 2,801.69
0.00 262.50
0.00 681.34
1,900.35 140.00 157.50
0.00 205.70
0.00 349.52 831.06
33,590.00 3,351.60
341.64 601.40
1,272.00 300.00
20,509.27 455.00
0.00 0.00 0.00
1,440.25 0.00
80.00 29,429.60
0.00 0.00
2,166.72 0.00 0.00 0.00
Budget
12,000.00 0.00 0.00
8,500.00 1,500.00
19,000.00 8,000.00
0.00 0.00 0.00
2,000.00 5,400.00
10,875.00 4,000.00
0.00 10,000.00
0.00 500.00
2,900.00 0.00 0.00 0.00
300.00 0.00
300.00 1,000.00
43,000.00 4,500.00
600.00 1,500.00 2,000.00
400.00 4,000.00 1,500.00 1,000.00
0.00 7,000.00 1,500.00
0.00 4,500.00
50,000.00 0.00
5,000.00 2,300.00 5,000.00
0.00 0.00
$ Over Budget ··---·~
-8,043.05 0.00 0.00
-4,656.23 -1,279.43
-10,971.44 7,719.99
0.00 0.00 0.00
65.00 -1,800.00 -3,625.00 -1,198.31
0.00 -9,737.50
0.00 181.34
-999.65 140.00 157.50
0.00 -94.30·
0.00 49.52
-168.94 -9,410.00 -1 '148.40
-258.36 -898.60 -728.00 -100.00
16,509.27 -1,045.00 -1,000.00
0.00 -7,000.00
-59.75 0.00
-4,420.00 -20,570.40
0.00 -5,000.00
-133.28 -5,000.00
0.00 0.00
o/o of Budget
33.0% 0.0% O.O".k
45.2% 14.7% 42.3%
196.5% 0.0% 0.0% 0.0%
103.3% 66.7% 66.7% 70.0%
0.0% 2.6% 0.0%
136.3% 65.5%
100.0% 100.0%
0.0% 68.6%
0.0% 11S.5%
83.1% 78.1% 74.5% 56.9% 40.1% 63.6% 75.0%
512.7% 30.3%
0.0% 0.0% 0.0%
96.0% 0.0% 1.8%
58.9% 0.0% 0.0%
94.2% 0.0% 0.0% 0.0%
Page 2
2:12PM
09/03/15 Accrual Basis
LAKE LEMON CONSERVANCY Profit & Loss Budget vs. Actual
January through August 2015
Jan- Aug 15 Budget ------ ----·--
664tl · Soil Testing IDEM 0.00 0.00 6650 · Dredge Matching Fund 0.00 0.00 6660 · Dredging/Engineering 0.00 0.00 6661 · Disposal Site Preparation 0.00 5,000.00 6662 · Debt Service-Dredlng Loan 0.00 46,000.00 6663 ·Barge Assembly 0.00 0.00 6670 · Debt Service (Dredlng Equip.) 0.00 0.00 6680 • Other Services and Charges 1,017.00 2,000.00 6681 ·Fireworks 6,500.00 7,000.00 6682 · Ramp Repairs 0.00 0.00 6685 • Dredging Engineering 0.00 0.00 6690 • Office Equipment 0.00 0.00 6700 ·Computer Equipment 726.49 500.00 6701 ·Barge 0.00 70,000.00 6702 · Push Boat/Motors 0.00 40,000.00 6703 · Excavator 0.00 90,000.00
------- ---·--Total Expense 290,348.15 691,753.00
------
Net Income 76,879.50 -36,553.00
$ Over Budget %of Budget ----~~---
0.00 0.0% 0.00 0.0% 0.00 0.0%
-5,000.00 0.0% -46,000.00 0.0%
0.00 0.0% 0.00 0.0%
-983.00 50.9% -500.00 92.9%
0.00 0.0% 0.00 0.0% 0.00 0.0%
226.49 145.3% -70,000.00 0.0% -40,000.00 0.0% ·90,000.00 0.0%
-401 ,404.85 42.0%
113,432.50 -210.3%
Page3
. ~-.;..·,··. .,
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Date: August 31, 2015 ALLOWANCE OF VOUCHERS
(Report of Claims)
Lance Eberle Treasurer
(IC 5-11-10-2 permits the governing body to sign the Accounts Payable Voucher Register in lieu of signing each claim the governing body is allowing.) We have examined the vouchers listed on the foregoing accounts payable voucher register and payroll journal, consisting of 7 ~. and except for vouchers not allowed as shown on the Register such vouchers are allowed in the total of$49,955.88
Dated this 16th Day of September 2015
MARTY MANN, Sub-Area III
Signature of Governing Board
7599 North Tunnel Road, Unionville, IN 47468 Phone 812/334-0233 • Fax 812/335-0038
2:18PM LAKE LEMON CONSERVANCY
09/03/15 Check Detail August 2015
Type Num Date Name Item Account Paid Amount Original Amount -- .. --·· --·-
Check 3553 8110/2015 WHITE RIVER CO-••• 1000 ·Peoples Sta ••• ·1,756.85
6200 · Regular Gas -666.40 666.40 6210 ·Diesel ·1,090.45 1,090.45
TOTAL -1,756.85 1,756.85
Check 3664 8/10/2015, PAUL YOUNG PLU ... 1000 • Peoples Sta. •• -5,580.00
6510 · Building & G ..• -5,580.00 5,580.00
TOTAL -5,580.00 5,580.00
Check 3555 8/10/2015 ROLYAN BUOYS 1000 · Peoples Sta ... ·1,285.00
6290 · Signs & Nau ... -1,285.00 1,285.00
TOTAL -1,285.00 1,285.00
Check 3556 8/1012015 B & B WATER CORP 1000 ·Peoples Sta ... -46.66
6470 ·Water -46.66 46.66 --·. TOTAL -46.66 46.66
Check 3557 8/10/2015 KENNETH MULLIS 1000 ·Peoples Sta ... ·500.00
6680 · Other Servic ... -500.00 500.00 ---~·----
TOTAL -500.00 500.00
Check 3558 811012015 LOWE'S COMPANI... 1000 ·Peoples Sta ... -104.82
6240 · Building & G ... -104.82 104.82
TOTAL -104.82 104.82
Check 3559 811012015 STAPLES CREDIT •.. 1000 · Peoples Sta ... ·94.91
6190 ·General Busi. .. ·23.57 23.57 6240 · Building & G ... -42.23 42.23 6440 ·Other -12.11 12.11 6680 · Other Servic ... -17.00 17.00
-· TOTAL -94.91 94.91
Check 3560 8/10/2015 N. ANDERSON EX ••• 1000 ·Peoples Sta ... . -1,812.50
Page1
2:18PM LAKE LEMON CONSERVANCY
09/03/15 Check Detail August2015
Type Num Date Name Item Account Paid Amount Original Amount --·-- ----
6310 ·Grass -1,812.50 1,812.50 --------- -TOTAL -1,812.50 1,812.50
Check 3561 8110/2015 BLOOMINGTON H .•• 1000 ·Peoples Sta •.• -104.89
6240 · Building & G ... -104.89 104.89
TOTAL -104.89 104.89
Check 3571 811412015 REPUBLIC SERVI ... 1000 ·Peoples Sta ..• ·223.74
6480 ·Trash -223.74 223.74
TOTAL -223.74 223.74
Check 3572 8/1412015 CITY OF BLOOMIN •.. 1000 • Peoples Sta ... -20.00
6560 ·Water Testing -20.00 20.00
TOTAL -20.00 20.00
Check 3573 8/14/2015 FLEX PAC, INC. 1000 ·Peoples Sta ... ·177.54
6240 · Building & G ... -177.54 177.54
TOTAL -177.54 177.54
Check 3574 8114/2015 AQUATIC CONTR ... 1000 ·Peoples Sta ... -17,494.10
6570 · Lake Weed ... -17,494.10 17,494.10
TOTAL -17,494.10 17,494.10
Check 3575 8/14/2015 WATKINS ACCOU .•• 1000 · Peoples Sta ... -450.00
6300 · Accounting •.. -450.00 450.00
TOTAL -450.00 450.00
Check 3576 8/20/2015 ADAM CASEY 1 000 • Peoples Sta ... -306.51
6040 · Health lnsur ... -306.51 306.51 --TOTAL -306.51 306.51
Check 3577• 8120/2015 SCIREMC 1000 ·Peoples Sm ... -470.95
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2:18PM LAKE LEMON CONSERVANCY
09/03115 Check Detail August2015
Type Num Date Name Item Account Paid Amount Original Amount ~··--- --· ----·---·- -·~- --
6460 · Electric -470.95 470.95 ~--·
TOTAL -470.95 470.95
Check 3578 8120/2016 CARMIN PARKER ••• 1000 ·Peoples Sta ... -752.50
6320 · Attorney -752.50 752.50 ~···-·
TOTAL ·752.50 752.50
Check 3579 8120/2015 MONROE TUFF...JON 1000 · Peoples Sta ... -304.00
6490 · Port-O-Lets -304.00 304.00
TOTAL -304.00 304.00
Check 3580 8/2012015 COMCAST CABLE 1000 • Peoples Sta .•• -208.82
6370 ·Phone, LOT, ... -208.82 208.82
TOTAL -206.82 208.82
Check 3581 812012015 EPPLEY INSTITUT ... 1000 • Peoples Sta ... -606.34
6350 · Other ProffS ... -606.34 606.34
TOTAL -606.34 606.34
Check 3582 8/20/2015 VISA 1000 · Peoples Sta ... -746.06
6180 ·Postage -75.25 75.25 6240 · Building & G ... -91.81 91.81 6542 · Equipment R. .. -579.00 579.00
-~-----
TOTAL -746.06 746.06
Check 3692 8/31/2015 TODD'S SEPTIC S ••. 1000 ·Peoples Sta ... ·100.00
6500 · Pump Hold in ... -100.00 100.00
TOTAL -100.00 100.00
Check 3593 8/31/2015 WHITE RIVER CO-... 1000 · Peoples Sta .•• -1,823.60
6200 · Regular Gas -186.00 186.00 6210 ·Diesel -1,118.60 1,118.60 6251 · Dredging Su ... -519.00 • 519.00
--·-Page3
2:18PM
09/03/16
TOTAL
Type Num Date
LAKE LEMON CONSERVANCY Check Detail
August 2015
Name Item Account
~~
Paid Amount Original Amount
-1,823.60 1,823.60
---;.r(J qr,Cf. 1'1
Page4
3:07PM LAKE LEMON CONSERVANCY
09103/15 Payroll Summary August 2015
Casey, Adam W Hopkins, Joseph S Jones, Mason B Nguyen, Christopher X Powers, Cody E H Rate Aug 15 Hours Rate Aug15 Hours Rate Aug15 Hours Rate Aug15 HCiurs Rate Aug15 - -- -- -- -- -- -- -- --
Employee Wages, Taxes and Adjustments Gross Pay
Salary 4,000.00 0.00 0.00 0.00 0.00 6110-0VERTIME 0.00 0.00 0.00 0.00 0.00 Reg. Pay..e070 0.00 186.5 10.50 1,958.25 0.00 153.5 10.50 1,611.75 0.00 Reg.Pay..e100 0.00 0.00 38.5 12.00 462.00 0.00 44.5 12.00 534.00 Reg.Pay-6110 0.00 0.00 0.00 0.00 0.00 Reg.Pay-6111 0.00 0.00 0.00 0.00 0.00 Reg.Pay-6112 0.00 0.00 0.00 0.00 0.00 Reg.Pay-6113 0.00 0.00 0.00 0.00 0.00 Reg.Pay-6114 0.00 0.00 0.00 0.00 0.00 Reg.Pay-6116 0.00 0.00 0.00 0.00 0.00 -- -- -- -- -- --
Total Gross Pay 4,000.00 186.5 1,958.25 38.5 462.00 153.5 1,611.75 44.5 534.00
Deductions from Gross Pay Insurance 0.00 0.00 0.00 0.00 0.00 Retirement -120.00 0.00 0.00 0.00 0.00 -- --
Total Deductions from Gross Pay -120.00 0.00 0.00 0.00 0.00 -- -- -- -- --Adjusted Gross Pay 3,880.00 186.5 1,958.25 38.5 462.00 ' 153.5 1,611.75 44.5 534.00
Taxes Withheld Federal Withholding -602.00 -177.00 -27.00 -175.00 -4.00 Medicare Employee -58.00 -28.40 -6.70 -23.37 -7.74 Social Security Employee -248.00 -121.41 -28.64 -99.93 -33.11 IN -Withholding -128.04 -64.63 -15.24 -53.19 -17.62 Elkhart Co 0.00 0.00 0.00 0.00 -10.68 Hamilton Co 0.00 0.00 0.00 0.00 0.00 Monroe Co. -42.48 -21.45 -5.06 -16.81 0.00 -- --
Total Taxes Withheld -1.078.52 -412.89 -82.64 -368.30 -73.15
Net Pay 2,801.48 186.5 1,545.36 38.5 379.36 153.5 1,243.45 44.5 460.85 = -- = -- -- --
Employer Taxes and Contributions Federal Unemployment 0.00 11.75 2.77 9.67 3.20 Medicare Company 58.00 28.40 6.70 23.37 7.74 Social Security Company 248.00 121.41 28.64 99.93 33.11 IN -Unemployment Company 0.00 13.99 3.30 11.51 3.81 -- --
Total Employer Taxes and Contributions 306.00 175.55 41.41 144.48 41.86 -- =
Page 1
3:07PM LAKE LEMON CONSERVANCY
09/03/15 Payroll Summary August2015
Snooks, Franklin A VanTassel, James P walls, Isaac N WARTHAN, LEVI R TOTAL Hours Rate Aug15 HOUIS Rate Aug15 HouiS Rate Allg 16 Hours Rate Aug16 Hours Rate -- -- -- -- -- -- -- -- -- --
Employee Wages, Taxes and Adjustments Gross Pay
Salary 0.00 0.00 0.00 0.00 6110-0VERTIME 0.00 25.50 0.00 0.00 0.00 Reg. Pay-6070 52 10.50 546.00 0.00 0.00 o.oo 392.00 Reg.Pay-6100 0.00 0.00 0.00 0.00 83.00 Reg.Pay-6110 0.00 179 17.00 3,043.00 0.00 0.00 179.00 Reg.Pay-6111 0.00 0.00 0.00 149.5 36.50 &,456.75 149.50 Reg.Pay-6112 0.00 0.00 0.00 36.50 0.00 Reg.Pay-6113 0.00 17.00 0.00 144.5 18.00 2,601.00 0.00 144.50 Reg.Pay-6114 0.00 0.00 18.00 0.00 0.00 Reg.Pay-6115 0.00 0.00 0.00 36.50 0.00 -- --- -- -- -- --
Total Gross Pay 52 546.00 179 3,043.00 144.5 2,601.00 149.5 5,456.75 948.00
Deductions from Gross Pay Insurance 0.00 0.00 0.00 0.00 Retirement 0.00 0.00 0.00 0.00 ---
Total Deductions from GroS$ Pay 0.00 0.00 0.00 0.00 -- --- -- -- -- --Adjusted Gross Pay 52 546.00 179 3,043.00 144.5 2,601.00 149.5 5,456.75 948.00
Taxes Withheld Federal Withltolding -36.00 -395.00 -305.00 -956.00 Medicare Employee -7.92 -44.13 -37.71 -79.12 Social Security Employee -33.86 -188.67 -161.26 -338.32 IN - Withholding -18.02 -100.42 -85.84 -180.07 Elkhart Co 0.00 0.00 0.00 0.00 Hamilton Co 0.00 -30.44 0.00 0.00 Monroe Co. -5.98 0.00 -28.49 -56.91 ---
Total Taxes Witllheld -101.78 -758.66 -618.30 -1,612.42 -- --- -- -- -- --Net Pay 52 444.22 179 2,284.34 144.5 1,982.70 149.6 3,844.33 948.00
--- = -- --- = Employer Taxes and Contributions Federal Unemployment 3.27 0.00 15.60 0.00 Medicare Company 7.92 44.13 37.71 79.12 Social Security Company 33.86 188.67 161.26 338.32 IN -Unemployment Company 3.89 0.00 18.57 0.00 ---
Total Employer Taxes and Contributions 48.94 232.80 233.14 417.44 =
Page2
3:07PM
09/03115
Employee Wages, Taxes and Adjustments Gross Pay
Salary 811 O·OVERTIME Reg. Pay-6070 Reg.Pay-6100 Reg.Pay-6110 Reg.Pay-6111 Reg.Pay-6112 Reg.Pay-6113 Reg.Pay-6114 Reg.Pay-6116
Total Gross Pay
Deductions.from Gross Pay Insurance Retirement
Total Deductions from Gross Pay
Adjusted Gross Pay
Taxes Withheld Federal Withholding Medicare Employee Social Security Employee IN • Withholding Elkhart Co Hamilton Co Monroe Co.
Total Taxes Withheld
Net Pay
Employer Taxes and Contributions Federal Unemployment Medicare Company Social Security Company IN ·Unemployment Company
Total Employer Taxes and Contributions
TOTAL
Aug16
4.000.00 0.00
4,116.00 996.00
3.043.00 5,456.75
0.00 2,601.00
0.00 0.00
20,212.75
0.00 ·120.00
-120.00
20,092.75
-2,679.00 -293.09
c1,253.20 -663.07 -10.68 -30.44
-177.18
-5,106.66
14,986.09
46.26 293.09
1,253.20 55.07
1,647.62 =
LAKE LEMON CONSERVANCY Payroll Summary
August 2015
Page3
6070 (2000 hrs@ $11.00/hr) Lake Patrol
6100 (400 hrs@ $12.00/hr) . Lake Biologist
6110 (1600 hrs@ $17.00/hr) Dredger
(LLCD Dredging) 6111 (600 hrs@ $37.50/hr)
6112 (375 hrs @ $37.50/hr) AssistantDredger (LLCD Dredging)
6113 (600 hrs@ $18.00/hr) AssistantDredger
(Other) 6114 (300 hrs@ $18.00/hr)
Dredger (Private)
6115 (100 hrs@ $37.50/hr)
6116
21,000.00
4,800.00
0.00
22.500.00
14,062.50
10,800.00
5,400.00
3.750.00
2016 Proposed Budget
WAGES
21,000.00
4,800.00
27,200.00
21.900.00
13,688.00
10,800.00
5,400.00
3.650.00
15,000.00 15,026.52 I 14.250.00 I 15.680.40
4,800.00. 4,191.00 4.800.00 I 3.558.00
21,700.00 25,935.39 14,000.00 I 20.874.00
21,600.00 13,518.00 21.000.00 I 20.720.00
13,500.00 13,635.00 10,500.00 I 14.017.50
10,500.00 6,072.50 10.500.00 I 8.408.75
5,250.00 4,738.13 5
3.600.00 1.998.00 n/a I n/a
2016 Proposed Budget
CAPITAL
Other Caoital Outl 6730 Patrol Boatffrailer 0.00 0.00, 0.00 0.00 0.00 0.00 6770 LLCD Pick-up Truck 0.00 0.00 0.00 0.00 20,000.00 22,510.00
TOTAL 0.00 0.00 0.00 0.00 20,000.00 22,510.00 GRAND TOTAL CAPITAL EXPENDITURES 208,000.00 200,500.00 0.00 4,493.10 43,000.00 41,302.00
TOTAL EXPENDITURES BUDGET 720,762.50 691,753.00 I 501,983.00 494,565.44 506,874.00 478,463.14
Excess Expenditures over Revenue
SUMMARY-2016 Budget 2016 Bud -·-d 2015 Budaeted 2014 Budaeted 14A -- ... ·----· 2013 Bud -·-d 2013 A ---·-·
Revenues 677,150.00 655,200.00 462,800.00 484,955.87 453,300.00 485,941.06 Expenses 720,762.50 691,753.00 501,983.00 494,565.44 506,874.00 478,463.14
Net -43,612.50 -- _ _-_3_6,§5~.00 -- - __ -3_9,183.00 -9,609.57 -53,574.00 7,477.92
TERMINATION OF EQUIPMENT PURCHASE AGREEMENT
THIS TERMINATION OF EQUIPMENT PURCHASE AGREEMENT is entered into by and between J.S. McCullough Excavating, LLC ("McCullough" or ·•seller") and Lake Lemon Conservancy District ("'LLCD" or "Buyer").
Recitals
WHEREAS, the Lake Lemon Conservancy District is a duly authorized and existing entity by virtue of I. C. I 4-33 et seq. LLCD manages and operates property owned by the City of Bloomington known as Lake Lemon located in Monroe County and Brown County, Indiana.
WHEREAS, on or about July __ , 2015, McCullough (as SeHer) and LLCD (as Buyer) entered into an "Equipment Purchase Agreement'' under which McCullough had planned to construct and LLCD had planned to purchase from McCullough a Mechanical Barge System for use on Lake Lemon.
WHEREAS, after careful consideration, LLCD and McCullough now desire to terminate said "Equipment Purchase Agreement" and mutually release each other from any obligation. duty, responsibility, and/or liability arising therefrom.
NOW, THEREFORE, in consideration of the promises and mutual covenants herein, ar.d consideration which the parties agree is sufficient, LLCD and McCullough hereby agree:
l. Termination of Equipment Purchase Agreement: The parties agree that the Equipment Purchase Agreement is terminated and is of no further legal effect.
2. Mutual Release: Each party does hereby remise, release, and forever discharge each other. including their respective heirs, successors, personal representatives, agents.
·assigns, attorneys, executors, administrators, and/or insurers, and all other persons who might be claimed to be liable, none of whom admit any liability to the other, but who all expressly deny any liability from all actions, causes of action, claims and demands whatsoever, whether or not well founded in fact or law, that the parties may have against each other by reason of the "Equipment Purchase Agreement,., any and all Requests for Proposals and/or Invitations to Bid issued by LLCD prior to the execution of the "Equipment Purchase Agreement,'' any matter related to the bidding process and/or award, any matter related to the Mechanical Barge System which McCullough had planned to construct and LLCD had planned to purchase, and/or from any relationship or action between the parties that precedes the date of this release up to and including the day of the date of this release .
. It is the parties' express and specific intent and purpose that this instrument releases and forever discharges any and all claims and causes of action of any kind or nature whatsoever which each may assert against the other. To effect that purpose, this agreement is intended to release all parties from any claims or causes of action which the
Page I of2
undersigned may assert and afising from known or unknown claims, as well as consequences of any injury whether known or unknown, and whether any such claims
and causes of action are specifically mentioned or not in this instrument, which may exist or might be claimed to exist at or prior to the date of this instrument.
3. Governing Law. Jurisdiction. and Venue: This document shall be governed by and construed in accordance with the laws of the State of Indiana and any dispute shall be heard in the Monroe Circuit Courts in Bloomington, Indiana.
4. Voluntary Agreement. In making this agreement, each party has carefully read this Termination document and understands the contents, and has relied entirely on its own judgment. belief, and knowledge.
5. Counterparts: This Agreement may be executed in multiple counterparts, each of which shall be treated as an original.
IN WITNESS WHEREOF, the parties have executed this Termination of Equipment Purchase Agreement as of the date next to their signature.
SELLER:
J.S. McCullough Excavating, LLC
Date: 1 ps f) & ~ By: .:::-:::..,_,..-,---.-----jr----Title: <f7l~;.. .. J ~±
BUYER:·
Lake Lemon Conservancy District
Date:--------By: ________ _
Title:---------
~92636 I I 0821-86
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